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TD S&P/TSX Composite Index Fund

Date of Formation:

Oct 30 2000

Auditor:

PricewaterhouseCoopers LLP

Sales Compensation:

No Sales Charge or Redemption Charge

(Principal) Custodian:

The Toronto-Dominion Bank

Investment Fund Type:

Other

(Principal) Distributor:

TD Asset Management Inc.

Eligible for RRSP:

Yes

Investment Portfolio Manager:

TD Asset Management Inc.

Financial Year-End:

Dec 31

Trustee:

TD Asset Management Inc.

Reporting Jurisdictions:

Ceased Reporting

Use of this site is subject to, and your continued use constitutes your express agreement to be
bound by, the
Terms of Use and
Privacy Statement.
Any unauthorized use of this site is strictly prohibited.

XBRL Voluntary Filing Program
Visit the CSA’s XBRL website for information about XBRL and the voluntary program.Click here for information about XBRL software and viewing XBRL financial statements.